NT$79.10
+ NT$0.80 (1.02%)
End-of-day quote: 05/15/2024
TWSE:1216

Uni-President Enterprises Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009
Rev. Revenue
NT$581.10B NT$524.83B NT$473.50B NT$447.32B NT$447.98B NT$431.45B NT$399.86B NT$413.36B NT$416.15B NT$418.33B NT$423.06B NT$406.05B NT$388.03B NT$343.42B NT$290.20B
GM % Gross Margin %
32.32% 31.94% 32.97% 34.43% 34.37% 33.67% 33.20% 33.30% 33.14% 30.60% 30.93% 30.96% 28.43% 29.47% 30.92%
OM Operating Margin
4.93% 5.53% 6.00% 6.66% 6.61% 6.25% 5.59% 5.10% 5.20% 4.06% 4.28% 4.85% 3.89% 5.03% 5.38%
EPS Earnings Per Share
NT$0.00 NT$3.23 NT$3.01 NT$3.48 NT$3.77 NT$3.33 NT$3.07 NT$6.98 NT$2.54 NT$2.47 NT$1.95 NT$2.24 NT$2.17 NT$1.66 NT$1.91 NT$1.36
Div. Dividends
NT$2.97 NT$3.15 NT$2.70 NT$2.70 NT$2.50 NT$2.50 NT$5.50 NT$2.10 NT$2.00 NT$1.37 NT$1.36 NT$1.20 NT$0.80 NT$1.06 NT$0.00
PR % Payout Ratio %
91.95% 104.65% 77.59% 71.62% 75.08% 81.43% 78.80% 82.68% 80.97% 70.26% 60.71% 55.30% 48.19% 55.50% 0
Sha. Shares
5682.02m 5682.02m 5682.02m 5682.02m 5682.02m 5682.02m 5682.02m 5682.02m 5682.02m 5682.02m 5682.02m 5682.01m 5682.02m 5682.02m 5682.02m
OCF Operating Cash Flow
NT$73.13B NT$62.77B NT$56.35B NT$61.72B NT$58.87B NT$43.10B NT$46.46B NT$55.53B NT$50.88B NT$32.51B NT$30.35B NT$40.25B NT$35.50B NT$25.69B NT$25.95B
FCF Free Cash Flow
NT$35.52B NT$44.83B NT$39.56B NT$45.41B NT$44.11B NT$27.93B NT$30.44B NT$39.32B NT$30.52B NT$8.13B NT$-1438.43M NT$11.48B NT$6.26B NT$10.85B NT$16.30B
FCFS Free Cash Flow Per Share
NT$8.28 NT$7.35 NT$6.92 NT$7.94 NT$7.68 NT$4.87 NT$5.27 NT$6.86 NT$5.32 NT$0.45 NT$-1.04 NT$1.93 NT$0.66 NT$1.80 NT$2.63